Amundi S&P Global Utilities ESG UCITS ETF DR EUR Acc
MWOH.DE
#2405
ETF Rang
€0.13 Mrd.
Marktkapitalisierung
🇪🇺 EU
Markt
13,56 €
Aktienkurs
0.50%
Veränderung (1 Tag)
14.85%
Veränderung (1 Jahr)

Amundi S&P Global Utilities ESG UCITS ETF DR EUR Acc - Bestände

ETF-Bestände zum Stand 13. August 2026Anzahl der Bestände: 49

Vollständige Bestandsliste

Gewichtung %NameISINGehaltene AktienLand
9.69%
IBERDROLA SAES0144580Y14729078Spain
9.53%
NEXTERA ENERGY INCUS65339F1012195372United States
6.20%
CONSTELLATION ENERGYUS21037T109739270United States
5.60%
ENEL SPAIT0003128367882624Italy
5.45%
NATIONAL GRID PLCGB00BDR05C01592281United Kingdom
4.71%
AMERICAN ELECTRIC POWERUS025537101766202United States
4.24%
DOMINION ENERGY INCUS25746U1097109077United States
4.10%
SEMPRAUS816851109083629United States
3.70%
ENGIEFR0010208488216601France
3.37%
ENTERGY CORPUS29364G103155520United States
3.36%
EXELON CORPUS30161N1019130134United States
3.12%
E.ON SEDE000ENAG999261092Germany
2.84%
CONSOLIDATED EDISON INCUS209115104146206United States
2.65%
SSE PLCGB0007908733142290United Kingdom
2.65%
PUBLIC SERVICE ENTERPRISE GPUS744573106761493United States
2.21%
FORTIS INCCA349553107969275Canada
1.90%
EVERSOURCE ENERGYUS30040W108046503United States
1.86%
AMERICAN WATER WORKSUS030420103323985United States
1.69%
OSAKA GAS CO JPY50JP318040000886700Japan
1.50%
TOKYO GAS CO Y50JP357300000170300Japan
1.12%
HYDRO ONE LTDCA448811208348786Canada
1.10%
ALTAGAS LTDCA021361100151130Canada
1.06%
EDP SAPTEDP0AM0009356952Portugal
1.03%
TERNA-RETE ELETTRICA NAZIONAIT0003242622159401Italy
1.03%
NATURGY ENERGY GROUP SAES011687031454063Spain
1.01%
UNITED UTILITIES GROUP PLC NEWGB00B39J2M4292686United Kingdom
0.92%
ENDESA SAES013067011234135Spain
0.89%
SNAM SPAIT0003153415233874Italy
0.80%
SEVERN TRENT PLCGB00B1FH8J7233708United Kingdom
0.77%
FORTUM OYJFI000900713259049Finland
0.74%
APA GROUPAU000000APA1183559Australia
0.72%
CENTRICA PLCGB00B033F229610977United Kingdom
0.72%
POWER ASSETS HOLDINGS LTDHK0006000050169500Hong Kong
0.70%
ENLIGHT RENEWABLE ENERGY LTD ILSIL000720011114467Israel
0.68%
HONG KONG & CHINA GASHK00030000381386362Hong Kong
0.63%
ORSTED A/SDK006009492850487Denmark
0.61%
XAU UTILITIES 09/26 CME12.180383859454United States
0.56%
ELIA GROUP SA/NVBE00038223936474Belgium
0.43%
VERBUND AGAT000074640911610Austria
0.42%
EDP RENEWABLES SAES012779701946049Portugal
0.42%
CONTACT ENERGY LTDNZCENE0001S6137445New Zealand
0.38%
OPC ENERGY LTDIL001141571320433Israel
0.37%
CK INFRASTRUCTURE HOLDINGS LBMG2178K100981000Hong Kong
0.37%
SEMBCORP INDUSTRIESSG1R50925390149200Singapore
0.33%
MERIDIAN ENERGY LTDNZMELE0002S7178801New Zealand
0.29%
STOXX 600 UTIL 09/26 EUREXDE000F3B36G816
0.22%
MERCURY NZ LTDNZMRPE0001S2102623New Zealand
0.12%
EVN AGAT00007410536504Austria
0.11%
EDISON SPA-RSPIT000337220583730Italy